Methodological Foundations of the Risk of the Stock Markets… — ҚазҰУ

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Methodological Foundations of the Risk of the Stock Markets of Developed and Developing Countries in the Conditions of the Crisis

2022 · Article

Жариялану жылы

2022

CiteScore

2,8

SJR

0,258

SNIP

0,94

Дереккөз: Journal of Risk and Financial Management

DOI:

Scopus:

Тұрақты даму мақсаттары (2025)

SDG 1

Білім салалары

Business, Management and Accounting (miscellaneous) Accounting Economics and Econometrics Finance